v3.25.2
Financial instruments (Tables)
6 Months Ended
Jun. 30, 2025
Financial Instruments - additional disclosure [abstract]  
Fair value by hierarchy
Level 1
Level 2
Level 3
Total

(USD millions)
Jun 30,
2025
Dec 31,
2024
Jun 30,
2025
Dec 31,
2024
Jun 30,
2025
Dec 31,
2024
Jun 30,
2025
Dec 31,
2024
Financial assets
Cash and cash equivalents
Debt securities
50
50
50
50
Total cash and cash equivalents at fair value
50
50
50
50
Marketable securities
Derivative financial instruments
268
106
268
106
Total marketable securities and derivative financial instruments at fair value
268
106
268
106
Current contingent consideration receivables
125
120
125
120
Current equity securities
21
24
18
18
39
42
Long-term financial investments
Debt and equity securities
158
193
8
7
571
599
737
799
Fund investments
11
15
161
195
172
210
Non-current contingent consideration receivables
761
671
761
671
Total long-term financial investments at fair value
169
208
8
7
1 493
1 465
1 670
1 680
Associated companies at fair value through profit or loss
83
109
83
109
Financial liabilities
Current contingent consideration liabilities
-197
-281
-197
-281
Derivative financial instruments
-278
-143
-278
-143
Total current financial liabilities at fair value
-278
-143
-197
-281
-475
-424
Non-current contingent consideration liabilities
-478
-527
-478
-527